v3.25.2
Cash flow information - Summary of reconciliation of liabilities arising from financing activities explanatory (Details) - CNY (¥)
¥ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Cash flow information    
At January 1 ¥ 1,064,254 ¥ 519,750
Changes from financing cash flows 19,384 692,739
New leases 4,025 4,516
Interest expense 42,436 32,960
Increase arising from business combination   20,455
Changes in fair values (426) 116,520
Conversion of convertible bonds to share capital (29,785) (319,335)
New issuance of convertible bonds 251,594  
Maturity of convertible bonds (255,458)  
Disposal (4,396) (4,733)
Disposal of subsidiaries (10,633)  
Reclassified as liabilities relating to assets classified as held for sale (10,000)  
Exchange differences 2,915 1,382
At December 31 1,073,910 1,064,254
Borrowings    
Cash flow information    
At January 1 754,774 503,155
Changes from financing cash flows 86,236 236,453
Increase arising from business combination   15,166
Disposal of subsidiaries (6,965)  
Reclassified as liabilities relating to assets classified as held for sale (10,000)  
At December 31 824,045 754,774
Interest payable    
Cash flow information    
At January 1 1,078 415
Changes from financing cash flows (39,940) (30,817)
Interest expense 40,047 31,480
At December 31 1,185 1,078
Lease liabilities    
Cash flow information    
At January 1 14,090 16,180
Changes from financing cash flows (6,063) (7,945)
New leases 4,025 4,516
Interest expense 564 783
Increase arising from business combination   5,289
Disposal (4,396) (4,733)
Disposal of subsidiaries (3,668)  
At December 31 4,552 14,090
Convertible bonds    
Cash flow information    
At January 1 272,684  
Changes from financing cash flows   474,117
Changes in fair values (426) 116,520
Conversion of convertible bonds to share capital (29,785) (319,335)
New issuance of convertible bonds 251,594  
Maturity of convertible bonds (255,458)  
Exchange differences 2,915 1,382
At December 31 241,524 272,684
Revenue-Based Financing    
Cash flow information    
At January 1 21,628  
Changes from financing cash flows (20,849) 20,931
Interest expense 1,825 697
At December 31 ¥ 2,604 ¥ 21,628